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$UP Fintech (TIGR.US)$ Today we must stand firm at 6, only in this way can we hope to break through 6.5 this weekend.
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$Apple (AAPL.US)$ top watch into the end of the year. Through $237 and this can be a multi-day runner into $250 area.
My guess would be we start seeing money rotate from chips into FAANG. This will lead
$AAPL 1/17/25 250c can work - stop loss daily close under $233
My guess would be we start seeing money rotate from chips into FAANG. This will lead
$AAPL 1/17/25 250c can work - stop loss daily close under $233
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$Super Micro Computer (SMCI.US)$ a lot of people trade based on FOMO , whether you're long or short , just stick to your positions . there are gaps that need to be filled before being able to rise stably , a pullback would surely be bound to happen.
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Columns Divergence and Contrasts
Market Indices: Divergence and Contrasts
The U.S. equity market showcased noticeable divergence in its recent performance. The Dow Jones Industrial Average continued its upward trajectory, hitting new highs and leading the pack. Meanwhile, the S&P 500 settled into a middle ground, and the Nasdaq, once the leader, showed signs of lagging.
Within the Nasdaq, the AI sector revealed stark contrasts. Nvidia, a bellwether for AI-driven growth, fell sharply by 4%, signaling pote...
The U.S. equity market showcased noticeable divergence in its recent performance. The Dow Jones Industrial Average continued its upward trajectory, hitting new highs and leading the pack. Meanwhile, the S&P 500 settled into a middle ground, and the Nasdaq, once the leader, showed signs of lagging.
Within the Nasdaq, the AI sector revealed stark contrasts. Nvidia, a bellwether for AI-driven growth, fell sharply by 4%, signaling pote...
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$YTLPOWR (6742.MY)$
The financial report analysis is as follows:
1. Income and Profit Performance
Income: As of September 30, 2024, YTL Electrical Utilities' quarterly revenue was 5.68 billion ringgit, an increase of 4.4% year-on-year.
Electrical utilities revenue decreased by 13.9%, mainly due to lower market prices.
Water affairs business revenue surged by 43.1%, reflecting price adjustments and additional revenue sources allowed by UK regulatory institutions.
Telecom business and investment holding activities increased by 26.8% and 77.1% respectively.
Profit: Quarterly pre-tax profit was 0.665 billion ringgit, a 35.6% year-on-year decrease.
Electricity business contribution decreased by 27.2%, reflecting the decrease in retail and market prices.
Water affairs business achieved positive growth, attributed to price increases and new projects.
Telecom business reduced losses by 65.6%, mainly due to increased project revenue.
Investment holding losses widened due to the increase in foreign exchange losses related to the Jordan project.
2. Comprehensive income
Net income: The net income attributable to equity holders is 0.471 billion ringgit, a decrease of 44.5% year-on-year.
Other comprehensive income: The company incurred a net loss of 1.96 billion ringgit on foreign exchange and cash flow hedge projects, resulting in a total comprehensive income of -1.45 billion ringgit.
3. Financial Condition
Assets: Total assets are 63.9 billion ringgit, a decrease of 4.2% compared to June 2024. The decrease is mainly due to the decline in fixed assets and accounts receivable.
Liabilities: Total liabilities are 45.5 billion ringgit, slightly decreased, mainly due to the repayment of some short-term debts...
The financial report analysis is as follows:
1. Income and Profit Performance
Income: As of September 30, 2024, YTL Electrical Utilities' quarterly revenue was 5.68 billion ringgit, an increase of 4.4% year-on-year.
Electrical utilities revenue decreased by 13.9%, mainly due to lower market prices.
Water affairs business revenue surged by 43.1%, reflecting price adjustments and additional revenue sources allowed by UK regulatory institutions.
Telecom business and investment holding activities increased by 26.8% and 77.1% respectively.
Profit: Quarterly pre-tax profit was 0.665 billion ringgit, a 35.6% year-on-year decrease.
Electricity business contribution decreased by 27.2%, reflecting the decrease in retail and market prices.
Water affairs business achieved positive growth, attributed to price increases and new projects.
Telecom business reduced losses by 65.6%, mainly due to increased project revenue.
Investment holding losses widened due to the increase in foreign exchange losses related to the Jordan project.
2. Comprehensive income
Net income: The net income attributable to equity holders is 0.471 billion ringgit, a decrease of 44.5% year-on-year.
Other comprehensive income: The company incurred a net loss of 1.96 billion ringgit on foreign exchange and cash flow hedge projects, resulting in a total comprehensive income of -1.45 billion ringgit.
3. Financial Condition
Assets: Total assets are 63.9 billion ringgit, a decrease of 4.2% compared to June 2024. The decrease is mainly due to the decline in fixed assets and accounts receivable.
Liabilities: Total liabilities are 45.5 billion ringgit, slightly decreased, mainly due to the repayment of some short-term debts...
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In this video, I’ll explain why I’m turning my attention back to the $Hang Seng Index (800000.HK)$ after its impressive 40% rally in under two months. We'll look at whether there are potential market opportunity, and the crucial levels to watch for traders and investors
Mentioned in this video are warrants to consider for short-term trading.
$HSI 21800MBeCW250127 (YL5W.SG)$
Mentioned in this video are warrants to consider for short-term trading.
$HSI 21800MBeCW250127 (YL5W.SG)$
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Key Observations:
1. Price Movement:
• Closing Price: $5.67 (+0.18%).
• The stock is near its intraday high of $5.72, reflecting strong buying momentum.
2. Volume:
• Extremely high volume (52.98M), which is significantly above the average, confirming strong participation in the move.
3. Technical Indicators:
• Moving Averages:
• Trading well above the 20-day MA ($4.55) and 250-day MA ($3.47), a strong bullish indicator.
• Bollinger Bands:
• The price is riding the upper band ($...
1. Price Movement:
• Closing Price: $5.67 (+0.18%).
• The stock is near its intraday high of $5.72, reflecting strong buying momentum.
2. Volume:
• Extremely high volume (52.98M), which is significantly above the average, confirming strong participation in the move.
3. Technical Indicators:
• Moving Averages:
• Trading well above the 20-day MA ($4.55) and 250-day MA ($3.47), a strong bullish indicator.
• Bollinger Bands:
• The price is riding the upper band ($...
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